"VOLUME PROFILE EURUSD " 로고
cBot
FP Markets에서 테스트함
버전 1.1, Mar 2026
Windows, Mac, Mobile, Web
1
구매
19.24
손익비
4.55%
최대 낙폭
"VOLUME PROFILE EURUSD " 업로드된 이미지
"VOLUME PROFILE EURUSD " 업로드된 이미지
"VOLUME PROFILE EURUSD " 업로드된 이미지
"VOLUME PROFILE EURUSD " 업로드된 이미지
"VOLUME PROFILE EURUSD " 업로드된 이미지
"VOLUME PROFILE EURUSD " 업로드된 이미지
"VOLUME PROFILE EURUSD " 업로드된 이미지
"VOLUME PROFILE EURUSD " 업로드된 이미지
"VOLUME PROFILE EURUSD " 업로드된 이미지
"VOLUME PROFILE EURUSD " 업로드된 이미지
19
판매
247
무료 설치

professional-grade trading algorithm designed for the EURUSD, combining classic DeMark Setup logic with advanced Volume Profile analysis

DeMark Volume Pro is not just a single-strategy bot; it is a comprehensive trading suite that allows you to trade the market in your own style. At its core, it identifies high-probability long entries using the renowned DeMarket™ Setup methodology. It then validates these signals with a sophisticated Volume Profile filter, ensuring you are trading with the "smart money," not against it.

Whether you are a quick-scalper, a focused day trader, or a position-swing trader, this algorithm is fully customizable to adapt to your personality and the current market volatility. With exceptional back-tested results on the EURUSD and the flexibility to be optimized for any Forex pair or Indices, it’s a powerful addition to any trader's arsenal.

  • Volume Profile Filter (The Edge): The bot does not take every signal. It uses a custom Volume Profile (VP) indicator to confirm the setup. It calculates the Point of Control (POC) and Value Area (VA) to ensure you are not entering a trade too close to a high-volume node, dramatically increasing the probability of a successful move. (As seen in the log: [VP] Buy rejected: Too close to LVN).
  • Adaptive to Your Trading Style: A single algorithm with three core personalities.
    • Scalping Mode: Fast-paced trades with tight stops and targets, designed to capture quick market movements. Perfect for active traders.
    • Day Trading Mode: Balanced settings aimed at capturing the day's main move, with wider stops and targets to allow the trade room to breathe.
    • Swing Mode: Designed for multi-day trends, this mode uses the widest stops and targets to capture larger market swings.
  • Professional Trade Management: Once in a trade, the bot takes over to protect your capital.
    • Partial Profit Taking: Secures a small portion of profit early in the trade (as seen in the log).
    • Dynamic Breakeven & Trailing Stop: The bot quickly moves the stop loss to breakeven and then uses an adaptive trailing stop to lock in profits as the market moves in your favor.
  • Fully Customizable & Optimizable: All key parameters—from Setup Periods and Volume Profile lookback to Stop Loss (SL), Take Profit (TP), and Risk-Reward Ratios—are fully adjustable. This allows for robust optimization on any instrument.

Technical Specifications

  • Underlying Strategy: DeMarket Setup + Volume Profile (POC/LVN) confirmation.
  • Direction: Long & Short.
  • Timeframe: Optimized for M10 but can be utilised with many other cbotsets and timeframe all optimised and backtested for maximum performance.
  • Instruments: Default setting for EURUSD. Highly customizable for all other FX Majors, Minors, and Exotics, as well as major Indices (US30, GER40, etc.).
  • Back-testing: Verified with a 1.1 pip spread, providing realistic performance expectations.
  • Recently Optimised for smal accounts starting balance €100, unit lot size 0.01, can trade Long and Short backtested and functioning. Additional optimised cbot sets can be provided.

Why Choose DeMark Volume Pro?

This bot offers a rare combination of a proven theoretical concept (DeMark) with a powerful market dynamics tool (Volume Profile). The result is a sophisticated, yet easy-to-use algorithm that adapts to you. The rigorous back-testing and detailed trade log examples (available upon request) provide the transparency a serious trader demands.

Stop chasing the market. Start trading with an edge.

⚠️ Important Disclaimers

  1. No Performance Guarantees: Trading financial instruments involves substantial risk. Past performance, including backtested or historical replay results, is not indicative of future results. The developer makes no representations or warranties regarding profitability, consistency, or drawdown behaviour in live markets.
  2. Market & Broker Dependency: Actual results vary based on broker execution quality, spread conditions, slippage, liquidity, news volatility, and server infrastructure. The algorithm’s filters and hedging logic assume stable, low-latency execution environments.
  3. Parameter Responsibility: All configurable settings (grid spacing, multipliers, risk per trade, session filters, lot sizing, etc.) are user-adjustable. Improper configuration may increase exposure, breach margin limits, or trigger unintended position clustering. Users must thoroughly test parameter sets in demo environments before live deployment.
  4. Use at Your Own Risk: By installing or running cbots, you acknowledge that you have read, understood, and accepted all technical requirements, configuration responsibilities, and risk disclosures. The developer assumes no liability for losses, margin calls, platform errors, or execution deviations resulting from live trading.

Important on Optimisation Requirements

This algorithm is designed for both beginner and expert traders, but it is absolutely not suitable for lazy traders. For each financial instrument you wish to trade, whether it is a currency pair, index, commodity like gold or silver, or individual stock, you must perform your own optimisation process to find the optimal settings. Market behaviour differs significantly between instruments, and what works perfectly on one symbol will not work on another without proper tuning. The algorithm provides a state-of-the-art, high-quality framework and unique fitness optimisation tools, but you must be willing to invest the effort to adapt it to your chosen markets. This is a precision tool for serious, active traders who understand that market adaptation is the key to long-term profitability.

Past performance, including the backtest results presented for XAUUSD, does not guarantee future results. The algorithm's performance will vary based on market conditions, broker execution quality, latency, and parameter configuration. No representation is being made that any account will or is likely to achieve profits or losses similar to those shown in backtests.

The algorithm requires instrument-specific optimisation. Parameters that perform well on one symbol or timeframe may produce losses on another. Users are solely responsible for conducting their own testing and validation before deploying the algorithm on a live account.

트레이딩 프로필
트레이딩 스타일
스캘핑
전략 유형
추세
분석 유형
알고리즘
거래 빈도
중간
최소 권장 잔고
$100
거래당 위험
2%
차트 기간
10분
백테스트 레버리지
1:500
일일 낙폭 한도
4.5%
프랍 트레이딩 회사 규정 부합
위험 관리
위험 모델
고정 랏
지원되는 주문 유형
시장
Limit
Stop
최대 수량 (랏)
1
지원되는 위험 통제
손절매
이익실현
세션 필터
추적 손절매
0.0
리뷰: 0
고객 리뷰
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